Saturday, June 25, 2005

 

Week of June 20th Performance

The Prudent Portfolio has given back most of the gains it made during last week's amazing performance. For the week, the Prudent Portfolio is down 2.96%. Last week's biggest gainer, Ford, is this week's biggest loser, down 9.49%. Here's how the portfolio looks as of Friday's close:
CompanySymbolSharesPrice
Per
Share*
Amount InvestedCurrent Price Per ShareCurrent ValueWeek's
%
Chg.

Chevron

CVX

146.53641

$56.30

$8,250

$56.69

$8,307

-3.87%

ConocoPhillips

COP

147.47944

$55.94

$8,250

$58.21

$8,585

-4.07%

Fannie Mae

FNM

142.24138

$58.00

$8,250

$58.05

$8,257

-3.49%

National City Corp.

NCC

244.15507

$33.79

$8,250

$34.14

$8,335

-1.59%

Ford Motor Co.

F

798.64472

$10.33

$8,250

$10.21

$8,154

-9.49%

Chubb

CB

96.38977

$85.59

$8,250

$84.70

$8,164

-0.12%

XL Capital Ltd.

XL

110.45655

$74.69

$8,250

$72.56

$8,015

-3.48%

Phelps Dodge

PD

91.80948

$89.86

$8,250

$91.42

$8,393

-6.57%

MBIA

MBI

146.92787

$56.15

$8,250

$58.40

$8,581

0.05%

Cummins

CMI

115.46537

$71.45

$8,250

$72.30

$8,348

-2.34%

Louisiana Pacific

LPX

345.04391

$23.91

$8,250

$24.71

$8,526

3.48%

Cooper Tire

CTB

430.35994

$19.17

$8,250

$18.50

$7,962

-3.44%

Cash Account

1000

$1.00

$1,000

$1,000

Portfolio Totals

$100,000

$100,627

-2.96%

S&P 500 Index Performance

-2.09%

*Rounded to nearest penny.



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